So I have sold 1/10 of my $PLTR (+0,73 %) of my shares and thus made 2/3 of my investment. I hold the remaining shares as a longterm investment. I think there is still a lot possible in the future but the valuation is a bit wild at the moment.
I have also sold all of my $IFX (-1,33 %) shares (70 units). I would like to further reduce my exposure to Germany.
I will reinvest directly in my ETFs and perhaps add an equity position $PEP (-1,67 %) or $NKE (-1,43 %) increase


